Shandong Lubei Chemical Co., Ltd.

SSE:600727.SS

7.34 (CNY) • At close April 30, 2025
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) CNY.

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 2,506.6412,482.0051,992.335935.521,083.53242.156328.44233.93332.1965.691140.42944.04780.946232.9463.034514.16683.59216.089478.532420.082375.538493.26436.942538.665543.854133.841218.885135.62999.1329.9652.619
Kortetermijnbeleggingen 420200.658171.446338.5107.2975.017196.828274.76537000000-2.85400000000000000
Liquide middelen en kortetermijnbeleggingen 2,548.6412,482.0052,192.9931,106.9661,422.03349.454333.457233.93332.1965.691140.42944.04780.946232.9463.034514.16683.59216.089478.532420.082375.538493.26436.942538.665543.854133.841218.885135.62999.1329.9652.619
Nettovorderingen 943.116841.511271.846387.034208.5020103.132114.589238.396216.438168.208192.205112.201-70.36184.915182.895809.962328.42997.845245.311317.9640003.9581.1497.6380.1240.0620.5260
Voorraad 742.537686.243721.307616.719457.885154.268121.79886.4685.685146.911138.31150.83196.105226.31104.8451.13770.048102.546195.241185.68697.2851.145121.848167.978186.923148.55454.33334.55123.09623.02826.223
Overige vlottende activa 231.009206.956477.999622.721202.328117.62787.47830.655308.19887.51345.67851.316109.436287.665297.935149.104120.052375.244247.636274.012306.648413.157540.362609.032475.747347.552393.433256.345129.887125.22295.304
Totaal vlottende activa 4,465.3034,216.7173,440.1662,346.4072,290.745753.666712.243662.465664.47516.553492.625438.399452.19676.514865.809897.3021,083.6521,022.3071,019.2541,108.3531,097.43957.5621,099.1521,315.6651,210.482631.097674.29426.649252.174133.444124.146
Niet-vlottende activa:
Materiële vaste activa, netto 3,448.8253,516.8323,507.9573,418.0231,918.9611,031.265899.493734.557754.982759.856780.828783.271787.833399.886385.3771,035.7721,113.3541,703.2281,882.6452,053.7742,162.3872,168.412,090.5251,857.5661,834.5321,366.227982.801560.664148.97176.07972.205
Goodwill 173.606173.606173.606173.606173.606173.606173.606000000000000000000000000
Immateriële activa 571.649500.384431.735169.484121.175.54674.71351.18152.80354.42556.04757.66959.29160.91362.53567.10968.80870.50572.20373.3875.06676.75378.43943.95144.91445.87746.9460000
Goodwill en immateriële activa 745.255673.991605.341343.09294.706249.153248.3251.18152.80354.42556.04757.66959.29160.91362.53567.10968.80870.50572.20373.3875.06676.75378.43943.95144.91445.87746.9460000
Langetermijnbeleggingen 20.45630.459-171.359-143.211-309.972-79.6217.69222.70922.7092431.73432.1258.31500012.18300000000000000
Belastingvorderingen 24.95246.27237.1857.7158.9759.9914.784-22.709-22.709-24-31.734-32.1250.0300033.10633.1060000000000000
Overige niet-vlottende activa 50.45832.841225.825196.446363.5107.2975.01722.70922.7094831.73432.1250211.38.5338.667-2.8540000001.0310000000
Totaal niet-vlottende activa 4,289.9464,300.3954,204.953,822.0632,276.1711,318.0861,175.305808.447830.494838.281868.61873.065855.469672.099456.4451,111.5481,224.5961,806.841,954.8482,127.1542,237.4542,245.1632,168.9641,902.5481,879.4461,412.1041,029.747560.664148.97176.07972.205
Totaal activa 8,755.258,517.1117,645.1166,168.474,566.9162,071.7521,887.5491,470.9121,494.9631,354.8341,361.2341,311.4641,307.6581,348.6131,322.2542,008.852,308.2492,829.1472,974.1023,235.5073,334.8843,202.7253,268.1163,218.2123,089.9282,043.21,704.038987.313401.145209.522196.352
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,146.371,376.6283,261.3471,941.05896.458362.41189.97136.366141.386133.326132.893118.256109.55542.473196.164124.24835.78621.483190.42931.387241.01181.02259.36299.052298.998186.964161.82354.5948.25848.25839.602
Kortlopende schulden 2,613.3032,502.465263003024.1280000000048.5265.6149298.5176.845225.405148.745162102.52622.517.650101.6451.64513
Belastingschulden 105.56723.73370.66374.05987.41950.82653.93142.25441.6729.53530.63230.25147.62352.40961.22392.28594.75578.38734.133.59528.01723.1925.72554.54542.68119.17440.26915.6096.6035.1854.088
Uitgestelde opbrengsten 00177.677443.184191.909143.57553.93185.495174.753000000118.627137.192130.843142.218101.57491.17954.60154.92293.78199.52475.504032.72211.45415.58516.778
Overige kortlopende verplichtingen 856.0691,124.592325.725296.228320.23-3.971-26.252131.014226.754136.021167.697139.628140.528208.2747.898212.875353.271285.404110.857427.89875.3339.10450.574107.5680.38497.52457.22226.0186.05120.89528.875
Totaal kortlopende verplichtingen 4,721.3085,027.4194,098.4122,515.4361,496.015439.266532.238309.633409.81298.882331.221288.135297.706303.152305.285477.908749.411534.275633.886669.725569.762392.059497.658563.682444.563321.312259.315106.21662.55891.56885.565
Langlopende verplichtingen:
Langetermijnschulden 392.161101.979203.721143.652120.8120000000000062.5125187.5250452.5515540500550550540414.11141414
Uitgestelde opbrengsten niet-vlottend 3.5044.2258.0058.7257.9158.6353.46000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 58.17173.72255.37147.55235.21525.2225.729000000000000000000000000
Overige niet-vlottende verplichtingen 0082.949161.65227.00616.5850000000000000004.70.600000000
Totaal niet-vlottende verplichtingen 453.837179.926350.045361.581190.94850.4429.18900000000062.5125187.5250452.5519.7540.6500550550540414.11141414
Totaal passiva 5,175.1455,207.3454,448.4572,877.0171,686.963489.708541.427309.633409.81298.882331.221288.135297.706303.152305.285477.908811.911659.275821.386919.7251,022.262911.7591,038.2581,063.682994.563871.312799.315520.32676.558105.56899.565
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 528.583528.583528.583528.583528.583350.987350.987350.987350.987350.987350.987350.987350.987350.987350.987350.987350.987350.987350.987379.3379.3379.3379.3379.3379.33332222001007096.787
Ingehouden winsten 768.486592.725499.109652.907355.82410.833-146.558-240.633-319.081-349.24-376.958-353.867-368.038-404.532-422.766101.018149.005825.588812.43803.207800.521782.114730.171666.142621.542454.894338.803156.26835.22900
Overige gereserveerde algehele resultaten 0311.712304.426285.021241.141966.1233.691233.193235.517236.4746.2597.1260000000000000000000
Overige totale aandeelhoudersvermogen 1,882.8771,558.1731,862.5991,558.1731,558.173817.7311,051.422817.731817.731642.1651,055.985817.7311,027.003817.7311,088.7481,618.414996.346993.297989.2991,142.8091,132.8011,129.5531,120.3871,109.0881,162.532383.995342.774110.718189.359-31.2750
Totaal eigen vermogen van aandeelhouders 3,179.9462,991.1942,890.2923,024.6842,683.7221,413.9461,255.851,161.2781,085.1531,055.9521,030.0131,023.3291,009.9521,045.4611,016.9691,530.9421,496.3382,169.8722,152.7162,315.7832,312.6222,290.9672,229.8572,154.532,095.3661,171.889904.723466.987324.588103.95496.787
Totaal eigen vermogen 3,580.1053,309.7663,196.6593,291.4522,879.9531,582.0441,346.1221,161.2781,085.1531,055.9521,030.0131,023.3291,009.9521,045.4611,016.9691,530.9421,496.3382,169.8722,152.7162,315.7832,312.6222,290.9672,229.8572,154.532,095.3661,171.889904.723466.987324.588103.95496.787
Totaal passiva en aandeelhoudersvermogen 8,755.258,517.1117,645.1166,168.474,566.9162,071.7521,887.5491,470.9121,494.9631,354.8341,361.2341,311.4641,307.6581,348.6131,322.2542,008.852,308.2492,829.1472,974.1023,235.5073,334.8843,202.7253,268.1163,218.2123,089.9282,043.21,704.038987.313401.145209.522196.352